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High-signal headlines only - macro events, earnings, M&A, regulatory. Listicles and analyst clickbait filtered out by default. Refreshed hourly.

29,773 signal articles · 68 in last 24h · 148,348 total before filter · latest 1h ago
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Investing.com13d agoneutral
OPEC+ set to hold oil output policy steady for October - Reuters

Investing.com -- OPEC+ is expected to leave its oil production policy unchanged for October when members meet on Sunday, Reuters reported exclusively, citing two people familiar with the discussions, as the group turns its attention to setting new production quotas.

Investing.com13d agoneutral
U.S.-Iran tanker war escalates as Hormuz disruption deepens

Investing.com -- The U.S.-Iran conflict intensified over the weekend as Tehran claimed fresh attacks on a U.S.-operated drone boat and several commercial vessels, adding to a widening confrontation in the Strait of Hormuz after Washington struck three Iranian oil tankers, Al Jazeera reported on Sunday.

Investing.com14d agoneutral
Iran’s oil blockade leverage weakens as U.S. keeps Gulf crude flowing

Investing.com -- Iran’s attempt to pressure global oil markets by restricting traffic through the Strait of Hormuz is losing some of its impact as the U.S. helps Gulf producers keep crude moving, the Wall Street Journal reported, with Tehran facing mounting economic strain six months into the conflict.

3 All-Weather Dividend Stocks That Keep Writing Bigger Checks
24/7 Wall St.14d agoneutral
3 All-Weather Dividend Stocks That Keep Writing Bigger Checks

Some dividend stocks raise their payouts through one recession, maybe two. A handful of consumer staples names have kept writing bigger checks through every downturn for decades, and the cash flow behind that streak is more durable than most investors realize.

Investing.com16d agoneutral
Oil pulls back, Broadcom disappoints - what’s moving markets

Investing.com - U.S. stock futures were little changed on Wednesday evening as investors weighed renewed tensions between the U.S. and Iran, rising interest-rate concerns and a fresh batch of corporate news. Oil prices eased after a three-day rally, while investors looked ahead to Friday’s key U.S. labor market report for clues on the Federal Reserve’s next move.

Colgate-Palmolive (CL) Draws Fresh Valuation Focus, Is The Stock Fully Priced?
Simply Wall St.16d agoneutral
Colgate-Palmolive (CL) Draws Fresh Valuation Focus, Is The Stock Fully Priced?

Colgate-Palmolive (CL) is back in focus after fresh analysis highlighted its strong brand reach, premium pricing and free cash flow profile. At the same time, its forward P/E of 22.8x raises valuation questions. Colgate-Palmolive’s share price has climbed 15.97% year to date and 5.88% over the past 90 days. The 3-year total shareholder return of 33.66% suggests momentum has been building as investors weigh its cash generation and 22.8x forward P/E valuation. Compare Colgate-Palmolive’s...

2 Dividend Kings, 1 Clear Winner: P&G vs. Colgate
24/7 Wall St.17d agoneutral
2 Dividend Kings, 1 Clear Winner: P&G vs. Colgate

Both Procter & Gamble and Colgate-Palmolive just cut checks to shareholders within days of each other, but one of these Dividend Kings carries a coverage cushion and valuation profile that separates it decisively from the other.

2 S&P 500 Stocks to Target This Week and 1 That Underwhelm
StockStory17d agoneutral
2 S&P 500 Stocks to Target This Week and 1 That Underwhelm

The S&P 500 (^GSPC) is home to the biggest and most well-known companies in the market, making it a go-to index for investors seeking stability. But not all large-cap stocks are created equal - some are struggling with slowing growth, declining margins, or increased competition.

Investing.com17d agoneutral
Oil spike, Fed data and 5% yields: - what’s moving markets

Investing.com - U.S. stock futures were little changed on Wednesday as investors remained cautious ahead of key U.S. economic data and the Federal Reserve’s Beige Book, while renewed U.S.-Iran strikes and a sharp rise in global bond yields kept risk appetite in check.

Investing.com18d agoneutral
Bessent warns Strait of Hormuz will be “worthless” within 2 years

Investing.com -- Treasury Secretary Scott Bessent just put an expiration date on the world’s most critical maritime oil chokepoint, declaring the Strait of Hormuz will become a “worthless piece of water” within two years. Speaking at the G20, Bessent outlined an aggressive campaign to economically strangle Iran, heavily anchored by a surge in U.S. energy production that he claims will rapidly render the strategic waterway obsolete. Bessent’s most explosive claim centered on the imminent geopolit

Investing.com18d agoneutral
Two Saudi tankers struck in Strait of Hormuz Monday

Investing.com -- Two oil tankers carrying Saudi crude were hit by unknown projectiles on Monday while passing through the Strait of Hormuz, according to shipping intelligence firms Marisks and Kpler.

Investing.com18d agobearish
Global bond rout deepens as Middle East escalation and inflation shock push yields

Investing.com -A relentless global bond market sell-off accelerated on Tuesday, driving sovereign borrowing costs across Europe, Asia, and North America to generational highs as escalating military conflict in the Middle East and persistent central bank hawkishness combined to trigger a historic retreat from fixed-income assets.